Universe · entity

O'Brien Greene & Co. Inc

Institutional manager (13F) · CIK 1768635
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $310M
#IssuerValueShares
1Sprott Physical Gold Trust$21M581,416
2Interactive Brokers Group Inc$17M252,741
3Franklin Ftse Brazil Etf$15M609,320
4Apple Computer Inc Com$14M55,295
5Berkshire Hathaway Inc Cl B$13M27,834
6Wal-Mart Stores$13M102,213
7Valero Energy Corp New Com$12M50,586
8Eog Res Inc Com$12M83,404
9Franco-Nevada Corp$12M48,594
10Williams Cos$11M155,167
11Cboe Global Markets Inc$11M37,875
12Amgen Inc$10M29,635
13Cisco Sys Inc Com$10M130,486
14Nutrien Ltd$10M131,555
15Union Pacific Corp$10M40,793
16Curtiss Wright Corp$9M12,941
17Nextera Energy Inc$9M92,670
18Microsoft Corp$8M22,004
19Danaher Corp Del Com$8M40,285
20S&P Global Inc Com$7M17,091
21Lyondellbasell Industries Ord$7M84,621
22Abb Ltd Sponsored Adr$7M83,442
23Veralto Ord Shs$6M68,865
24Boston Scientific$5M83,406
25Sony Group Corporation Sponsor$5M235,162
26Golar Lng Ltd$4M78,200
27Costco Whsl Corp New Com$3M3,424
28Chevrontexaco Corp$3M15,172
29Wise Plc$3M230,000
30J P Morgan Chase & Co Com$3M8,641
31Cummins Inc Com$2M4,513
32Stonex Group$2M29,474
33Emerson Elec Co$2M16,649
34Automatic Data Process Com$2M9,640
35Waste Mgmt Inc Del Com$2M8,200
36Abbvie Inc Com$2M8,553
37Grainger W W Inc Com$2M1,675
38Coca Cola Co$2M22,911
39Ishares Core S&P Small Cap Etf$2M13,801
40Constellation Software Ord Shs$2M963
41Johnson & Johnson$2M6,296
42Black Stone Minerals$2M100,000
43Talen Energy Corp$1M4,546
44Rio Tinto Plc$1M15,120
45Ebay Inc Com$1M15,266
46Alphabet Inc Class A$1M4,450
47B3 Sa Brasil Bolsa Balcao$1M117,900
48Bunge Global Sa$1M8,833
49Abbott Laboratories$1M10,274
50Champion Homes Inc$1M13,776
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.